兑付公告

“萧盈宝”收益公告
发布日期:2024-11-06

“萧盈宝”收益公告

产品代码

收益率对应日期

每日年化收益率(%)

七日年化收益率(%

万份收益

HZXSXYB2019000

20241001

1.6523

1.6598

0.4526

HZXSXYB2019000

20241002

1.6524

1.6611

0.4527

HZXSXYB2019000

20241003

1.6525

1.6627

0.4527

HZXSXYB2019000

20241004

1.6526

1.6640

0.4527

HZXSXYB2019000

20241005

1.6527

1.6651

0.4528

HZXSXYB2019000

20241006

1.6528

1.6659

0.4528

HZXSXYB2019000

20241007

1.6529

1.6661

0.4528

HZXSXYB2019000

20241008

1.6470

1.6654

0.4512

HZXSXYB2019000

20241009

1.6493

1.6649

0.4518

HZXSXYB2019000

20241010

1.6492

1.6644

0.4518

HZXSXYB2019000

20241011

1.6561

1.6649

0.4537

HZXSXYB2019000

20241012

1.6624

1.6663

0.4554

HZXSXYB2019000

20241013

1.6635

1.6678

0.4557

HZXSXYB2019000

20241014

1.6547

1.6681

0.4533

HZXSXYB2019000

20241015

1.6637

1.6706

0.4558

HZXSXYB2019000

20241016

1.6591

1.6720

0.4545

HZXSXYB2019000

20241017

1.6586

1.6734

0.4544

HZXSXYB2019000

20241018

1.6630

1.6744

0.4556

HZXSXYB2019000

20241019

1.6643

1.6746

0.4559

HZXSXYB2019000

20241020

1.6402

1.6712

0.4493

HZXSXYB2019000

20241021

1.6419

1.6694

0.4498

HZXSXYB2019000

20241022

1.6478

1.6671

0.4514

HZXSXYB2019000

20241023

1.6478

1.6654

0.4514

HZXSXYB2019000

20241024

1.6490

1.6640

0.4517

HZXSXYB2019000

20241025

1.6491

1.6620

0.4518

HZXSXYB2019000

20241026

1.6505

1.6600

0.4522

HZXSXYB2019000

20241027

1.6506

1.6615

0.4522

HZXSXYB2019000

20241028

1.6502

1.6628

0.4521

HZXSXYB2019000

20241029

1.6480

1.6628

0.4515

HZXSXYB2019000

20241030

1.6513

1.6633

0.4524

HZXSXYB2019000

20241031

1.6349

1.6613

0.4479

HZXSXYB2019000

20241101

1.6347

1.6592

0.4478

HZXSXYB2019000

20241102

1.6353

1.6570

0.4480

HZXSXYB2019000

20241103

1.6354

1.6548

0.4480

HZXSXYB2019000

20241104

1.6353

1.6526

0.4480

HZXSXYB2019000

20241105

1.6421

1.6517

0.4499